HoldingsChannel.com
All Stocks Held By Pier Capital LLC
As of  03/31/2020
   EntityAmountChange
 12/31/2019 to 03/31/2020
Position Size
($ in 1000's)
Houlihan Lokey Inc 159,840 -11,911 $8,331
     HLI159,840-11,911$8,331
Five9 Inc 99,232 -4,672 $7,587
     FIVN99,232-4,672$7,587
SiteOne Landscape Supply Inc 99,977 +25,487 $7,360
     SITE99,977+25,487$7,360
Repligen Corp 75,369 +17,208 $7,276
     RGEN75,369+17,208$7,276
Cerus Corp 1,478,967 +79,892 $6,877
     CERS1,478,967+79,892$6,877
Avalara Inc 91,910 +3,850 $6,856
     AVLR91,910+3,850$6,856
Catalent Inc 130,367 -52,038 $6,773
     CTLT130,367-52,038$6,773
Fabrinet 122,425 +122,425 $6,680
     FN122,425+122,425$6,680
Brooks Automation Inc 216,472 +216,472 $6,602
     BRKS216,472+216,472$6,602
Silicon Laboratories Inc 73,934 +4,071 $6,315
     SLAB73,934+4,071$6,315
Elastic NV 112,469 +43,265 $6,277
     ESTC112,469+43,265$6,277
Chegg Inc 175,350 -37,322 $6,274
     CHGG175,350-37,322$6,274
Bandwidth Inc 92,955 -33,929 $6,255
     BAND92,955-33,929$6,255
Omnicell Inc 94,137 +48,026 $6,174
     OMCL94,137+48,026$6,174
Air Transport Services Group I 336,397 -19,339 $6,149
     ATSG336,397-19,339$6,149
Saia Inc 83,613 -26,623 $6,149
     SAIA83,613-26,623$6,149
Ollie s Bargain Outlet Holding 132,066 +29,134 $6,120
     OLLI132,066+29,134$6,120
Lattice Semiconductor Corp 342,245 +49,683 $6,099
     LSCC342,245+49,683$6,099
Mobile Mini Inc 228,955 +5,594 $6,005
     MINI228,955+5,594$6,005
Tandem Diabetes Care Inc 93,041 -32,855 $5,987
     TNDM93,041-32,855$5,987
Wingstop Inc 74,661 +10,771 $5,950
     WING74,661+10,771$5,950
Progyny Inc 279,859 +56,338 $5,930
     PGNY279,859+56,338$5,930
BJ s Wholesale Club Holdings I 232,235 +232,235 $5,915
     BJ232,235+232,235$5,915
Insulet Corp 35,623 +5,839 $5,902
     PODD35,623+5,839$5,902
LHC Group Inc 41,892 -18,293 $5,873
     LHCG41,892-18,293$5,873
WNS Holdings Ltd 136,026 +16,264 $5,846
     WNS136,026+16,264$5,846
Amedisys Inc 30,917 -11,424 $5,675
     AMED30,917-11,424$5,675
Itron Inc 99,595 +5,507 $5,560
     ITRI99,595+5,507$5,560
Mercury Systems Inc 77,679 -32,114 $5,542
     MRCY77,679-32,114$5,542
AMN Healthcare Services Inc 95,297 +95,297 $5,509
     AMN95,297+95,297$5,509
Grocery Outlet Holding Corp 159,462 -90,218 $5,476
     GO159,462-90,218$5,476
Intelligent Systems Coporation 160,526 +160,526 $5,456
     INS160,526+160,526$5,456
Papa John s International Inc 102,018 -6,262 $5,445
     PZZA102,018-6,262$5,445
Fiverr International Ltd 215,970 +215,970 $5,436
     FVRR215,970+215,970$5,436
Emergent Biosolutions Inc 93,603 -8,376 $5,416
     EBS93,603-8,376$5,416
Exponent Inc 74,244 +74,244 $5,339
     EXPO74,244+74,244$5,339
Zscaler Inc 86,830 -49,262 $5,284
     ZS86,830-49,262$5,284
Livongo Health Inc 184,060 +5,439 $5,251
     LVGO184,060+5,439$5,251
BlackLine Inc 98,945 -34,323 $5,205
     BL98,945-34,323$5,205
First Merchants Corp 196,452 -31,276 $5,204
     FRME196,452-31,276$5,204
Bellring Brands Inc 303,111 +303,111 $5,168
     BRBR303,111+303,111$5,168
Freshpet Inc 79,562 -65,037 $5,082
     FRPT79,562-65,037$5,082
ESCO Technologies Inc 66,888 +14,072 $5,077
     ESE66,888+14,072$5,077
Workiva Inc 153,817 +29,839 $4,973
     WK153,817+29,839$4,973
Q2 Holdings Inc 83,822 +40,382 $4,951
     QTWO83,822+40,382$4,951
Smartsheet Inc 116,390 -8,395 $4,831
     SMAR116,390-8,395$4,831
Appian Corporation 119,577 -50,327 $4,811
     APPN119,577-50,327$4,811
Mirati Therapeutics Inc 62,272 +62,272 $4,787
     MRTX62,272+62,272$4,787
Installed Building Products In 116,179 +22,713 $4,632
     IBP116,179+22,713$4,632
Semtech Corp 119,071 -32,374 $4,465
     SMTC119,071-32,374$4,465
Guardant Health Inc 63,805 +16,103 $4,441
     GH63,805+16,103$4,441
Woodward Inc 72,802 +36,277 $4,327
     WWD72,802+36,277$4,327
Boston Beer Co Inc The 11,722 +11,722 $4,309
     SAM11,722+11,722$4,309
Skyline Champion Corp 274,195 +68,907 $4,299
     SKY274,195+68,907$4,299
Cubic Corp 103,166 -5,658 $4,262
     CUB103,166-5,658$4,262
Cardlytics Inc 119,115 -6,577 $4,164
     CDLX119,115-6,577$4,164
Tabula Rasa Healthcare Inc 77,057 -42,748 $4,029
     TRHC77,057-42,748$4,029
PTC Therapeutics Inc 88,053 +11,625 $3,928
     PTCT88,053+11,625$3,928
MSA Safety Inc 36,980 +36,980 $3,742
     MSA36,980+36,980$3,742
LGI Homes Inc 80,652 -14,725 $3,641
     LGIH80,652-14,725$3,641
Chart Industries Inc 123,742 +123,742 $3,586
     GTLS123,742+123,742$3,586
Inter Parfums Inc 76,189 +12,408 $3,531
     IPAR76,189+12,408$3,531
Vapotherm Inc 186,594 +186,594 $3,514
     VAPO186,594+186,594$3,514
Regenxbio Inc 108,483 +19,519 $3,513
     RGNX108,483+19,519$3,513
LendingTree Inc 19,115 +7,555 $3,505
     TREE19,115+7,555$3,505
Evercore Inc 75,756 -63,740 $3,489
     EVR75,756-63,740$3,489
AppFolio Inc 31,376 -1,933 $3,481
     APPF31,376-1,933$3,481
Biohaven Pharmaceutical Holdin 102,034 +35,135 $3,472
     BHVN102,034+35,135$3,472
Globant SA 39,297 -30,984 $3,453
     GLOB39,297-30,984$3,453
Virtusa Corp 120,715 -51,765 $3,428
     VRTU120,715-51,765$3,428
HealthEquity Inc 66,517 -31,420 $3,365
     HQY66,517-31,420$3,365
United Community Banks Inc GA 181,523 -137,547 $3,324
     UCBI181,523-137,547$3,324
Epizyme Inc 212,276 +212,276 $3,292
     EPZM212,276+212,276$3,292
Trex Co Inc 40,749 -31,958 $3,266
     TREX40,749-31,958$3,266
Century Communities Inc 224,474 +54,826 $3,257
     CCS224,474+54,826$3,257
Seacoast Banking Corp 177,455 -144,270 $3,249
     SBCF177,455-144,270$3,249
Cryoport Inc 189,011 -232,640 $3,226
     CYRX189,011-232,640$3,226
Raven Industries Inc 151,781 +151,781 $3,222
     RAVN151,781+151,781$3,222
Schrodinger Inc 71,511 +71,511 $3,084
     SDGR71,511+71,511$3,084
Addus HomeCare Corporation 44,718 -29,326 $3,023
     ADUS44,718-29,326$3,023
TechTarget Inc 145,316 +24,814 $2,995
     TTGT145,316+24,814$2,995
Texas Roadhouse Inc 72,036 -10,137 $2,975
     TXRH72,036-10,137$2,975
Enphase Energy Inc 91,853 +91,853 $2,966
     ENPH91,853+91,853$2,966
nLight Inc 277,195 +5,021 $2,908
     LASR277,195+5,021$2,908
Adapthealth Corp 174,964 +174,964 $2,799
     AHCO174,964+174,964$2,799
Methode Electronics Inc 105,029 -92,579 $2,776
     MEI105,029-92,579$2,776
UroGen Pharma LTD 150,184 +150,184 $2,679
     URGN150,184+150,184$2,679
1Life Healthcare Inc 147,472 +147,472 $2,677
     ONEM147,472+147,472$2,677
Mimecast Ltd 75,406 +75,406 $2,662
     MIME75,406+75,406$2,662
Kornit Digital Ltd 106,490 +106,490 $2,651
     KRNT106,490+106,490$2,651
Shockwave Medical Inc 78,798 -77,716 $2,615
     SWAV78,798-77,716$2,615
Moelis & Co 92,040 -162,683 $2,586
     MC92,040-162,683$2,586
Crocs Inc 146,364 -43,611 $2,487
     CROX146,364-43,611$2,487
Impinj Inc 146,739 +11,666 $2,452
     PI146,739+11,666$2,452
Everbridge Inc 21,743 -21,907 $2,313
     EVBG21,743-21,907$2,313
Vocera Communications Inc 107,927 -58,988 $2,292
     VCRA107,927-58,988$2,292
Redfin Corp 124,251 +124,251 $1,916
     RDFN124,251+124,251$1,916
Lindblad Expeditions Holdings 357,090 +357,090 $1,489
     LIND357,090+357,090$1,489
Chewy Inc 18,234 -9,809 $684
     CHWY18,234-9,809$684
Dexcom Inc 2,125 +327 $572
     DXCM2,125+327$572
MSCI Inc 1,976 +1,976 $571
     MSCI1,976+1,976$571
Spotify Technology SA 4,391 -70 $533
     SPOT4,391-70$533
Twilio Inc 5,627 +1,614 $504
     TWLO5,627+1,614$504
Slack Technologies Inc 16,836 +16,836 $452
     WORK16,836+16,836$452
Zendesk Inc 6,791 -1,539 $435
     ZEN6,791-1,539$435
Pinterest Inc 26,426 -2,592 $408
     PINS26,426-2,592$408
MongoDB Inc 2,916 +120 $398
     MDB2,916+120$398
Okta Inc 2,451 -39 $300
     OKTA2,451-39$300
Coupa Software Inc 1,896 -30,128 $265
     COUP1,896-30,128$265
Alteryx Inc $0 (exited)
     AYX0-45,122$0
BWX Technologies Inc $0 (exited)
     BWXT0-7,329$0
Boyd Gaming Corp $0 (exited)
     BYD0-306,922$0
US Ecology Inc $0 (exited)
     ECOL0-30,000$0
Exact Sciences Corp $0 (exited)
     EXAS0-4,818$0
National Vision Holdings Inc $0 (exited)
     EYE0-139,490$0
Funko Inc $0 (exited)
     FNKO0-418,612$0
Glaukos Corp $0 (exited)
     GKOS0-61,305$0
Heron Therapeutics Inc $0 (exited)
     HRTX0-326,574$0
Hudson Ltd Class A $0 (exited)
     HUD0-430,002$0
Inspire Medical Systems Inc $0 (exited)
     INSP0-53,809$0
Kratos Defense & Security $0 (exited)
     KTOS0-257,962$0
Liveperson Inc $0 (exited)
     LPSN0-157,206$0
Marten Transport LTD $0 (exited)
     MRTN0-375,779$0
Matador Resources Co $0 (exited)
     MTDR0-627,195$0
Primoris Services Corp $0 (exited)
     PRIM0-383,328$0
Pros Holdings Inc $0 (exited)
     PRO0-116,351$0
Pluralsight Inc $0 (exited)
     PS0-302,310$0
LiveRamp Holdings Inc $0 (exited)
     RAMP0-126,015$0
Rogers Corp $0 (exited)
     ROG0-34,230$0
Stitch Fix Inc $0 (exited)
     SFIX0-253,617$0
Atlassian Corp PLC $0 (exited)
     TEAM0-2,234$0
ViewRay Inc $0 (exited)
     VRAY0-836,693$0
YEXT Inc 0 -267,525 $0 (exited)
     YEXT0-267,525$0

See Summary: Pier Capital LLC Top Holdings
See Details: Top 10 Stocks Held By Pier Capital LLC

EntityShares/Amount
Change
Position Value
Change
FN +122,425+$6,680
BRKS +216,472+$6,602
BJ +232,235+$5,915
AMN +95,297+$5,509
INS +160,526+$5,456
FVRR +215,970+$5,436
EXPO +74,244+$5,339
BRBR +303,111+$5,168
MRTX +62,272+$4,787
SAM +11,722+$4,309
EntityShares/Amount
Change
Position Value
Change
MTDR -627,195-$11,271
BYD -306,922-$9,189
PRIM -383,328-$8,525
MRTN -375,779-$8,075
HRTX -326,574-$7,674
FNKO -418,612-$7,183
PRO -116,351-$6,972
HUD -430,002-$6,596
SFIX -253,617-$6,508
RAMP -126,015-$6,058
EntityShares/Amount
Change
Position Value
Change
CERS +79,892+$973
SKY +68,907-$2,209
PGNY +56,338-$206
CCS +54,826-$1,383
LSCC +49,683+$499
OMCL +48,026+$2,406
ESTC +43,265+$1,827
QTWO +40,382+$1,429
WWD +36,277+$1
BHVN +35,135-$170
EntityShares/Amount
Change
Position Value
Change
CYRX -232,640-$3,714
MC -162,683-$5,545
SBCF -144,270-$6,586
UCBI -137,547-$6,529
MEI -92,579-$5,000
GO -90,218-$2,626
SWAV -77,716-$4,259
FRPT -65,037-$3,462
EVR -63,740-$6,940
Size ($ in 1000's)
At 03/31/2020: $451,919
At 12/31/2019: $611,698

Pier Capital LLC holdings changes, total fund size, and other information presented on HoldingsChannel.com was derived from Pier Capital LLC 13F filings. Link to 13F filings: SEC filings

All Stocks Held By Pier Capital LLC | www.HoldingsChannel.com

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